The Emerald Recruiting Group
A top-performing
multi-strategy hedge fund
is looking for a
Fixed Income Portfolio Manager
to join its expanding credit and macro platform. The firm is seeking a proven investor with a
demonstrated track record of consistent alpha generation
across liquid or semi-liquid fixed income markets. This is a seat for a performance-driven professional who understands how to balance conviction with discipline—someone who thrives in an environment where capital, technology, and autonomy come together to amplify edge. What You’ll Do
Manage a
discretionary or systematic fixed income portfolio , deploying strategies across credit, rates, and structured products.
Generate alpha through deep fundamental, relative-value, or macro analysis within a robust risk management framework.
Identify opportunities across
investment-grade, high-yield, sovereign, and structured debt
instruments.
Partner with the fund’s
quant, risk, and trading infrastructure
teams to enhance execution, hedging, and analytics.
Employ sophisticated modeling and valuation techniques to inform trade construction and portfolio positioning.
Monitor exposures, liquidity, and performance metrics, ensuring adherence to platform-level risk parameters.
Collaborate with senior leadership on
capital allocation, strategy scaling, and cross-asset initiatives.
What You Bring
Proven track record of consistent
risk-adjusted returns (Sharpe 1.5+)
in fixed income markets.
Expertise in one or more of the following areas:
credit RV, macro rates, structured credit, EM debt, or corporate bonds.
Strong analytical and quantitative skills; proficiency in Python, R, or other modeling tools a plus.
Deep understanding of
market microstructure, liquidity, and risk management frameworks.
Experience deploying institutional capital within a hedge fund, proprietary trading firm, or asset manager.
Clear communication, collaborative mindset, and a relentless drive to perform at the highest level.
Why It’s Worth a Conversation
Institutional-scale platform
with cutting-edge data, execution, and risk technology.
Competitive
P&L-based payout model
with significant upside for top performers.
Opportunity to run your own book while leveraging firm-wide infrastructure and global resources.
Culture built on
autonomy, meritocracy, and collaboration
across world-class portfolio managers.
#J-18808-Ljbffr
multi-strategy hedge fund
is looking for a
Fixed Income Portfolio Manager
to join its expanding credit and macro platform. The firm is seeking a proven investor with a
demonstrated track record of consistent alpha generation
across liquid or semi-liquid fixed income markets. This is a seat for a performance-driven professional who understands how to balance conviction with discipline—someone who thrives in an environment where capital, technology, and autonomy come together to amplify edge. What You’ll Do
Manage a
discretionary or systematic fixed income portfolio , deploying strategies across credit, rates, and structured products.
Generate alpha through deep fundamental, relative-value, or macro analysis within a robust risk management framework.
Identify opportunities across
investment-grade, high-yield, sovereign, and structured debt
instruments.
Partner with the fund’s
quant, risk, and trading infrastructure
teams to enhance execution, hedging, and analytics.
Employ sophisticated modeling and valuation techniques to inform trade construction and portfolio positioning.
Monitor exposures, liquidity, and performance metrics, ensuring adherence to platform-level risk parameters.
Collaborate with senior leadership on
capital allocation, strategy scaling, and cross-asset initiatives.
What You Bring
Proven track record of consistent
risk-adjusted returns (Sharpe 1.5+)
in fixed income markets.
Expertise in one or more of the following areas:
credit RV, macro rates, structured credit, EM debt, or corporate bonds.
Strong analytical and quantitative skills; proficiency in Python, R, or other modeling tools a plus.
Deep understanding of
market microstructure, liquidity, and risk management frameworks.
Experience deploying institutional capital within a hedge fund, proprietary trading firm, or asset manager.
Clear communication, collaborative mindset, and a relentless drive to perform at the highest level.
Why It’s Worth a Conversation
Institutional-scale platform
with cutting-edge data, execution, and risk technology.
Competitive
P&L-based payout model
with significant upside for top performers.
Opportunity to run your own book while leveraging firm-wide infrastructure and global resources.
Culture built on
autonomy, meritocracy, and collaboration
across world-class portfolio managers.
#J-18808-Ljbffr